• 活期宝
    7x24灵活取现
    最快1秒到账
  • 关联基金最高7日年化2.26% 充值
    快取单日限额最高超40万元详情
    2024-07-02
  • 指数宝
    看好的盘不错过
  • 景顺长城沪深30近1年 -7.26%
    国泰纳斯达克10近1年 28.32%
    2024-07-02
  • 热门基金
    十元起轻松投资
  • 万家精选混合A近1年 41.00%
    万家精选混合C近1年 40.14%
    2024-07-02
基金公司筛选:
基金代码基金名称单位净值|日期日增长率近1周近1月近3月近6月近1年近2年近3年今年来成立来手续费|起购金额操作
009370浦银安盛睿和优选3个月持有混合(FOF)A1.087306-300.00%-0.01%-0.14%0.54%2.88%6.58%-2.82%0.30%2.88%8.73%
0.15%1.50%
10元
009371浦银安盛睿和优选3个月持有混合(FOF)C1.072706-30-0.01%-0.02%-0.17%0.44%2.70%6.20%-3.50%-0.76%2.70%7.27%
10元
006507前海开源裕泽(FOF)1.226707-010.38%----1.90%1.94%6.36%4.45%1.59%2.44%6.36%22.67%
0.12%1.20%
10元
014582浦银安盛兴荣稳健一年持有混合(FOF)A0.999107-010.15%0.22%-0.33%0.08%1.14%4.06%-0.66%---1.14%-0.09%
0.08%0.80%
10元
017320浦银颐和稳健养老一年(FOF)Y1.120306-300.00%-0.04%-0.25%0.20%1.58%4.06%------1.58%1.85%
10元
016338财通资管通达稳利3个月持有期债券发起式(FOF)A1.071107-01-0.03%0.16%0.51%1.33%2.42%3.94%------2.42%7.11%
0.04%0.40%
10元
016080财通资管通达稳健3个月持有债券发起(FOF)A1.070407-01-0.04%0.20%0.33%1.16%2.29%3.75%------2.29%7.04%
0.04%0.40%
10元
009372浦银安盛嘉和稳健一年持有混合(FOF)A1.000607-010.13%0.18%-0.22%0.19%1.28%3.72%-0.79%-0.02%1.28%0.06%
0.10%1.00%
10元
014583浦银安盛兴荣稳健一年持有混合(FOF)C0.990607-010.14%0.21%-0.36%-0.01%0.96%3.68%-1.35%---0.96%-0.94%
10元
016339财通资管通达稳利3个月持有期债券发起式(FOF)C1.066207-01-0.02%0.16%0.48%1.27%2.29%3.68%------2.29%6.62%
10元
007401浦银颐和稳健养老一年(FOF)A1.113206-300.00%-0.04%-0.28%0.10%1.38%3.64%-0.36%0.82%1.38%11.32%
0.08%0.80%
10元
015155浦银稳健回报6个月持有债(FOF)A1.048807-010.02%0.09%0.08%0.59%1.57%3.61%3.81%---1.57%4.88%
0.03%0.30%
10元
016081财通资管通达稳健3个月持有债券发起(FOF)C1.065307-01-0.04%0.19%0.30%1.10%2.16%3.50%------2.16%6.53%
10元
015156浦银稳健回报6个月持有债(FOF)C1.042807-010.03%0.09%0.07%0.54%1.45%3.35%3.29%---1.45%4.28%
10元
009373浦银安盛嘉和稳健一年持有混合(FOF)C0.988607-010.13%0.18%-0.24%0.09%1.08%3.31%-1.58%-1.21%1.08%-1.14%
10元
009213易方达如意安泰(FOF)A1.130307-010.10%0.36%-0.21%1.09%3.01%3.27%4.55%7.84%3.01%13.03%
0.08%0.80%
10元
007402浦银颐和稳健养老一年(FOF)C1.092906-300.00%-0.06%-0.32%-0.01%1.18%3.22%-1.17%-0.39%1.18%9.29%
10元
009214易方达如意安泰(FOF)C1.117307-010.10%0.35%-0.24%1.01%2.85%2.96%3.92%6.88%2.85%11.73%
10元
017775东方红颐安稳健养老一年(FOF)A1.029306-300.00%0.09%0.28%0.73%1.80%2.86%------1.80%2.93%
1.00%1.00%
10元
017673东方红颐和稳健养老两年(FOF)Y1.101706-300.00%-0.05%0.02%1.09%2.18%2.78%------2.18%1.96%
10元
015938平安盈福6个月持有债券(FOF)A1.025807-01-0.02%0.10%0.06%1.02%3.01%2.54%------3.01%2.58%
0.08%0.80%
10元
015792金鹰稳进配置六个月持有混合发起(FOF)A1.024206-300.00%0.06%0.18%0.57%1.44%2.49%------1.44%2.42%
0.02%0.20%
10元
009174东方红颐和稳健养老两年(FOF)A1.096706-300.01%-0.05%0.00%1.02%2.03%2.47%2.72%3.84%2.03%9.67%
0.06%0.60%
10元
017706建信添福悠享稳健养老目标一年持有债券(FOF)A1.024006-300.01%0.11%0.28%0.82%1.33%2.38%------1.33%2.40%
0.60%0.60%
10元
015939平安盈福6个月持有债券(FOF)C1.018007-01-0.02%0.09%0.03%0.92%2.81%2.13%------2.81%1.80%
10元
015793金鹰稳进配置六个月持有混合发起(FOF)C1.017306-300.00%0.05%0.14%0.47%1.23%2.10%------1.23%1.73%
10元
015421南方浩鑫稳健优选6个月持有混合(FOF)A1.024706-300.01%0.09%0.25%0.83%1.67%2.07%------1.67%2.47%
0.08%0.80%
10元
015377兴证全球优选稳健六个月持有债券(FOF)A1.059106-300.01%-0.09%-0.32%0.89%1.69%1.92%4.40%---1.69%5.91%
0.06%0.60%
10元
014617易方达如意安和一年持有混合(FOF)A1.040606-300.01%0.05%-0.38%1.20%2.28%1.89%3.08%---2.28%4.06%
0.08%0.80%
10元
016770华安盈安稳健优选3个月持有债券(FOF)A1.023606-300.01%0.07%0.20%0.70%1.44%1.83%------1.44%2.36%
0.03%0.30%
10元
015168平安盈瑞六个月持有债券(FOF)A1.037906-300.01%0.05%0.15%0.64%2.35%1.81%2.67%---2.35%3.79%
0.08%0.80%
10元
016723广发安腾稳健6个月持有混合(FOF)A1.020407-010.07%0.12%-0.08%0.64%1.70%1.79%------1.70%2.04%
0.08%0.80%
10元
016731南方浩升稳健优选6个月持有混合(FOF)A1.020806-300.00%0.10%0.25%0.62%1.90%1.75%------1.90%2.08%
0.08%0.80%
10元
017661南方浩恒稳健优选6个月持有混合(FOF)A1.016906-300.00%-0.04%-0.09%1.07%2.83%1.74%------2.83%1.69%
0.12%1.20%
10元
013668永赢慧盈一年持有债券发起(FOF)A1.024507-01-0.08%0.06%0.19%0.87%1.53%1.71%3.54%---1.53%2.45%
0.08%0.80%
10元
015189浙商智配瑞享一年持有债券(FOF)1.015506-300.00%-0.12%0.42%1.23%2.87%1.69%------2.87%1.55%
0.08%0.80%
10元
015378兴证全球优选稳健六个月持有债券(FOF)C1.053306-300.01%-0.09%-0.34%0.82%1.56%1.67%3.88%---1.56%5.33%
10元
015422南方浩鑫稳健优选6个月持有混合(FOF)C1.017806-300.01%0.07%0.22%0.72%1.47%1.67%------1.47%1.78%
10元
016739嘉实领航聚利稳健配置6个月持有混合发起(FOF)1.015707-010.01%0.18%-0.16%1.07%2.24%1.66%------2.24%1.57%
10元
015297华夏聚泓优选一年持有混合(FOF)A1.011306-300.00%0.14%-0.17%0.94%3.06%1.54%------3.06%1.13%
0.08%0.80%
10元
014618易方达如意安和一年持有混合(FOF)C1.030206-300.00%0.03%-0.42%1.09%2.08%1.48%2.26%---2.08%3.02%
10元
016771华安盈安稳健优选3个月持有债券(FOF)C1.018906-300.01%0.06%0.17%0.60%1.26%1.46%------1.26%1.89%
10元
016927诺德惠享稳健三个月持有混合(FOF)1.022507-01-0.01%0.02%0.11%0.34%0.77%1.44%------0.77%2.25%
0.08%0.80%
10元
015169平安盈瑞六个月持有债券(FOF)C1.028906-300.00%0.03%0.12%0.54%2.13%1.40%1.84%---2.13%2.89%
10元
016732南方浩升稳健优选6个月持有混合(FOF)C1.016206-300.00%0.09%0.22%0.52%1.69%1.35%------1.69%1.62%
10元
017662南方浩恒稳健优选6个月持有混合(FOF)C1.011906-300.00%-0.04%-0.12%0.98%2.63%1.33%------2.63%1.19%
10元
013669永赢慧盈一年持有债券发起(FOF)C1.013507-01-0.08%0.05%0.15%0.77%1.32%1.28%2.63%---1.32%1.35%
10元
005221宏利全能混合(FOF)A1.243706-300.02%-0.06%0.44%0.68%1.10%1.27%0.90%-2.51%1.10%24.37%
0.06%0.60%
10元
016724广发安腾稳健6个月持有混合(FOF)C1.014607-010.07%0.10%-0.12%0.52%1.44%1.27%------1.44%1.46%
10元
015261易方达如意兴安一年持有混合(FOF)A1.019407-010.12%0.23%-0.97%0.27%2.12%1.24%------2.12%1.94%
0.10%1.00%
10元
015241汇添富鑫添利6个月持有混合(FOF)A1.029707-01-0.03%0.16%0.43%1.19%1.28%1.23%2.37%---1.28%2.97%
0.02%0.20%
10元
017356华夏安康稳健养老目标一年持有混合发起式(FOF)Y1.013106-300.01%0.21%0.58%1.49%2.86%1.18%------2.86%1.31%
10元
018163宏利养老目标2025一年持有混合(FOF)Y1.017506-300.00%0.02%0.18%1.17%1.90%1.16%------1.90%1.66%
10元
015757富国智华稳进12个月持有期混合(FOF)A1.016507-010.17%0.27%-0.32%0.79%1.51%1.13%1.68%---1.51%1.65%
0.08%0.80%
10元
015298华夏聚泓优选一年持有混合(FOF)C1.003506-300.00%0.13%-0.20%0.83%2.85%1.12%------2.85%0.35%
10元
016768华安盈瑞稳健优选6个月持有混合(FOF)A1.013106-300.00%-0.09%0.05%1.12%2.07%1.08%------2.07%1.31%
0.08%0.80%
10元
017294富国鑫汇养老目标日期2025一年持有混合(FOF)Y1.017906-300.01%-0.17%-0.61%0.49%1.47%1.03%------1.47%2.33%
10元
018297南方浩稳优选9个月持有混合(FOF)A1.012606-300.00%-0.05%0.02%1.01%1.75%1.03%------1.75%1.26%
0.08%0.80%
10元
017387兴证全球安悦稳健养老一年持有混合(FOF)Y1.030806-300.01%-0.28%-0.45%1.39%2.42%0.99%------2.42%3.69%
10元
005222宏利全能混合(FOF)C1.216906-300.01%-0.07%0.40%0.59%0.93%0.96%0.26%-3.45%0.93%21.69%
10元
013158华夏安康稳健养老目标一年持有混合发起式(FOF)A1.006606-300.00%0.20%0.56%1.44%2.76%0.96%-1.00%---2.76%0.66%
0.08%0.80%
10元
017319嘉实安康稳健养老一年持有混合(FOF)Y0.978106-300.01%-0.07%-0.37%1.60%3.24%0.96%------3.24%0.60%
10元
015242汇添富鑫添利6个月持有混合(FOF)C1.023307-01-0.03%0.17%0.41%1.13%1.15%0.93%1.75%---1.15%2.33%
10元
017359华夏保守养老一年持有混合(FOF)Y1.059306-300.01%-0.29%-0.34%0.69%1.20%0.92%------1.20%3.21%
10元
013245宏利养老目标2025一年持有混合(FOF)A1.013506-300.00%0.01%0.15%1.10%1.75%0.86%0.33%---1.75%1.35%
0.08%0.80%
10元
013421富国鑫汇养老目标日期2025一年持有混合(FOF)A1.014406-300.01%-0.17%-0.62%0.47%1.39%0.85%1.37%---1.39%1.44%
0.08%0.80%
10元
015262易方达如意兴安一年持有混合(FOF)C1.012707-010.11%0.22%-1.01%0.17%1.91%0.84%------1.91%1.27%
10元
017146永赢恒欣稳健养老目标三年持有混合(FOF)A1.006907-010.08%0.19%-0.31%0.42%1.18%0.82%------1.18%0.69%
0.12%1.20%
10元
013337创金合信宜久来福3个月持有混合发起(FOF)A1.020606-300.01%0.09%0.15%0.89%1.07%0.81%0.76%---1.07%2.06%
0.80%0.80%
10元
017336平安稳健养老一年持有混合(FOF)Y1.034106-300.00%-0.62%0.01%0.11%0.30%0.81%------0.30%3.96%
10元
010281华夏保守养老一年持有混合(FOF)A1.057006-300.01%-0.29%-0.34%0.67%1.15%0.79%2.42%3.46%1.15%5.70%
0.08%0.80%
10元
017385申万稳健养老一年持有混合发起式(FOF)Y1.010806-300.01%-0.02%-0.29%0.79%1.50%0.74%------1.50%1.48%
10元
012909平安盈盛稳健配置三个月持有债券(FOF)A1.021507-01-0.01%0.06%0.22%0.67%1.38%0.73%1.33%---1.38%2.15%
0.03%0.30%
10元
017237天弘永丰稳健养老目标一年持有混合(FOF)Y0.965706-300.00%-0.30%-0.88%-0.47%2.60%0.73%------2.60%0.54%
10元
015758富国智华稳进12个月持有期混合(FOF)C1.008207-010.15%0.25%-0.37%0.69%1.30%0.72%0.86%---1.30%0.82%
10元
015962国联添安稳健养老目标一年持有混合(FOF)A1.011606-300.00%-0.03%-0.21%-0.09%0.57%0.72%------0.57%1.16%
0.10%1.00%
10元
016769华安盈瑞稳健优选6个月持有混合(FOF)C1.009106-300.00%-0.10%0.02%1.02%1.89%0.72%------1.89%0.91%
10元
015231富国智选稳进3个月持有混合(FOF)A1.029507-01-0.02%0.06%0.22%0.71%1.27%0.70%1.50%---1.27%2.95%
0.06%0.60%
10元
012509兴证全球安悦稳健养老一年持有混合(FOF)A1.025706-300.00%-0.29%-0.49%1.32%2.28%0.70%2.25%---2.28%2.57%
0.10%1.00%
10元
012508嘉实安康稳健养老一年持有混合(FOF)A0.972906-300.01%-0.08%-0.39%1.51%3.07%0.62%-1.66%---3.07%-2.71%
0.10%1.00%
10元
018298南方浩稳优选9个月持有混合(FOF)C1.007906-300.00%-0.07%-0.01%0.90%1.54%0.62%------1.54%0.79%
10元
017318中欧预见养老2025一年持有(FOF)Y1.105406-300.01%-0.12%-0.79%0.90%2.48%0.60%------2.48%4.20%
10元
011557平安稳健养老一年持有混合(FOF)A1.030006-300.00%-0.63%0.00%0.05%0.19%0.57%0.80%2.25%0.19%5.10%
0.08%0.80%
10元
017015博时五月佳5个月持有混合发起式(FOF)A1.012606-300.00%0.03%-0.02%1.04%2.00%0.57%------2.00%1.26%
0.08%0.80%
10元
017280广发安泰稳健养老一年持有混合(FOF)Y1.028506-300.01%-0.19%-0.36%0.76%1.42%0.53%------1.42%1.56%
10元
016036汇添富鑫添盈一年持有混合(FOF)A1.010906-300.00%-0.13%0.08%0.79%0.96%0.51%------0.96%1.09%
0.08%0.80%
10元
012910平安盈盛稳健配置三个月持有债券(FOF)C1.014207-01-0.01%0.05%0.19%0.61%1.25%0.48%0.83%---1.25%1.42%
10元
013826天弘永丰稳健养老目标一年持有混合(FOF)A0.961606-300.01%-0.30%-0.90%-0.52%2.51%0.48%0.08%---2.51%-3.84%
0.06%0.60%
10元
970138银河安益9个月持有混合(FOF)A1.137606-300.00%0.01%0.26%0.44%1.84%0.48%-1.09%---1.84%-0.52%
0.12%1.20%
10元
017276华安民享稳健养老目标一年持有混合发起(FOF)Y0.993406-300.00%0.04%0.06%1.20%2.21%0.46%------2.21%1.24%
10元
015776财通资管通达未来6个月持有混合发起(FOF)A1.039907-010.09%0.43%-0.38%0.79%0.62%0.44%------0.62%3.99%
0.08%0.80%
10元
013338创金合信宜久来福3个月持有混合发起(FOF)C1.010206-300.01%0.08%0.11%0.79%0.87%0.41%-0.04%---0.87%1.02%
10元
017259景顺稳健养老目标三年混合(FOF)Y1.119206-300.00%-0.21%-0.30%0.85%1.41%0.40%------1.41%2.29%
10元
010735申万稳健养老一年持有混合发起式(FOF)A1.004906-300.00%-0.03%-0.32%0.70%1.30%0.37%-1.21%-0.85%1.30%0.49%
0.12%1.20%
10元
011605交银招享一年持有混合(FOF)A0.995007-010.20%0.38%-0.15%0.37%1.16%0.37%-0.68%---1.16%-0.50%
0.04%0.40%
10元
008639中欧预见养老2025一年持有(FOF)A1.101206-300.01%-0.13%-0.81%0.84%2.35%0.36%1.15%3.99%2.35%10.12%
0.08%0.80%
10元
012106广发安泰稳健养老一年持有混合(FOF)A1.028306-300.01%-0.19%-0.37%0.71%1.33%0.34%0.86%---1.33%2.83%
0.12%1.20%
10元
016233创金合信增福稳健养老目标一年持有期混合发起(FOF)A1.001406-300.00%0.01%-0.19%0.36%0.77%0.33%------0.77%0.14%
0.08%0.80%
10元
016231创金合信佳和稳健一年持有混合发起(FOF)A1.002207-010.03%0.07%0.02%0.51%0.94%0.30%------0.94%0.22%
0.08%0.80%
10元
015232富国智选稳进3个月持有混合(FOF)C1.020207-01-0.02%0.06%0.20%0.62%1.07%0.30%0.70%---1.07%2.02%
10元
风险提示:收益率数据仅供参考,请以基金公司数据为准,过往业绩不预示未来表现。
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